配布
| シンボル | ディール | Sell | Buy | |
|---|---|---|---|---|
| AUDJPY.h | 173 | |||
| USDJPY.h | 166 | |||
| GBPJPY.h | 154 | |||
| GBPCHF.h | 118 | |||
| EURJPY.h | 86 | |||
| EURCHF.h | 50 | |||
| USDCHF.h | 23 | |||
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| シンボル | 総利益, USD | Loss, USD | 利益, USD | |
|---|---|---|---|---|
| AUDJPY.h | 168 | |||
| USDJPY.h | 203 | |||
| GBPJPY.h | 199 | |||
| GBPCHF.h | 149 | |||
| EURJPY.h | 87 | |||
| EURCHF.h | 46 | |||
| USDCHF.h | 25 | |||
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| シンボル | 総利益, pips | Loss, pips | 利益, pips | |
|---|---|---|---|---|
| AUDJPY.h | 27K | |||
| USDJPY.h | 32K | |||
| GBPJPY.h | 31K | |||
| GBPCHF.h | 8.8K | |||
| EURJPY.h | 15K | |||
| EURCHF.h | 3.8K | |||
| USDCHF.h | 1.8K | |||
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- Deposit load
- ドローダウン
いろいろなブローカーのリアルアカウント上で実行統計に基づいたスリッページの平均は、いくつかの点で指定されています。それはオーダー実行の遅れに依るのと同様に、プロバイダーの"QuickPro-Live"からの引用と購読者の引用の違いに依るものです。値がより低いことがコピーの品質がより良いことを意味しています。
データがありません
⭐ Professional Strategy Review — Carry Trade Long-Duration System
📌 Strategy Overview
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Long‑duration carry trade system
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Focus on positive swap accumulation
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Positions opened in the direction of interest‑rate advantage
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Floating is expected and part of the strategy
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Mean‑reversion entries with controlled spacing
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Conservative exposure and low deposit load
📌 Core Principles
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Positive swap priority
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Only trade directions with favorable swap
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Swap acts as passive yield during floating
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Controlled layering
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New layers added only when drawdown < internal threshold
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Layering stops automatically when threshold is reached
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Long holding periods
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Trades may remain open for days or weeks
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Aligned with macro interest‑rate cycles
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📌 Risk Management
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Drawdown discipline
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DD kept within internal limits
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Layering stops at DD ceiling
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Exposure control
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Very low leverage
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Deposit load typically <1%
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Manual intervention
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Trades may be closed manually (profit or loss)
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TP may be adjusted or removed
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These actions are intentional, not panic
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Part of long‑term stability management
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📌 Take‑Profit Behavior
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TP is dynamic, not fixed
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TP may be:
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moved closer,
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extended,
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or removed entirely
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Purpose:
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adapt to market conditions
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maintain long‑term balance
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reduce unnecessary volatility
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Manual close is normal and part of the system
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Subscribers should not worry when TP changes or trades close early
📌 Scaling of Capital and Lot Size (Important for Subscribers)
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When the master account increases its capital (e.g., from 3,000 USD to 6,000 USD), the strategy also increases the lot size (e.g., from 0.01 to 0.02).
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The real risk for the master account remains the same, because drawdown is calculated relative to the active equity baseline.
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However, subscribers who do not increase their capital proportionally will see an apparent increase in drawdown, because their account copies the new lot size without having the same equity level.
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This can cause a temporary rise in DD for subscribers, even though the strategy’s risk has not changed.
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This behavior is normal, expected, and part of the Filumina scaling model.
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Subscribers should not interpret this as a change in strategy or an increase in risk — it is simply a technical effect of lot synchronization.
📌 Performance Characteristics
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High stability
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Controlled floating
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Consistent swap accumulation
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Medium‑term mean‑reversion behavior
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Not a high‑frequency system
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Not designed for aggressive short‑term gains
📌 Broker Considerations
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Swap policies differ across brokers
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Subscribers should ensure:
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positive swap for the same trade direction
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stable spreads
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no abnormal swap changes
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Broker differences may cause slight performance variation
📌 Suitable Subscribers
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Prefer stability over fast gains
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Comfortable with floating
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Understand interest‑rate differentials
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Use brokers with positive swap
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Prefer long‑duration, low‑stress trading
📌 Summary
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Calm, structured carry trade
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Positive swap + controlled layering
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Dynamic TP + occasional manual close
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Scaling model may temporarily increase DD for subscribers
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Designed for long‑term consistency
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Floating is normal and managed
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Stability is the priority